首页 - 基金 - 银华泰利灵活配置混合A(001231) - 份额变动
银华泰利灵活配置混合A(001231)份额变动
截止日 期初份额(份) 期末份额(份) 期间申购份额(份) 期间赎回份额(份)
2023-12-30 36,939,359.23 32,944,161.76 15,343.00 4,010,540.47
2023-09-29 42,136,039.33 36,939,359.23 16,130.60 5,212,810.70
2023-06-29 45,774,102.46 42,136,039.33 19,382.19 3,657,445.32
2023-03-30 52,233,851.44 45,774,102.46 112,081.84 6,571,830.82
2022-12-30 56,720,575.76 52,233,851.44 23,566.10 4,510,290.42
2022-09-29 70,190,162.35 56,720,575.76 36,705.02 13,506,291.61
2022-06-29 102,518,074.17 70,190,162.35 144,424.78 32,472,336.60
2022-03-30 149,942,246.82 102,518,074.17 137,580.64 47,561,753.29
2021-12-30 180,670,321.11 149,942,246.82 349,194.44 31,077,268.73
2021-09-29 192,572,024.36 180,670,321.11 55,517,655.02 67,419,358.27
2021-06-29 240,174,707.11 192,572,024.36 3,548,156.38 51,150,839.13
2021-03-30 361,046,006.77 240,174,707.11 8,814,663.98 129,685,963.64
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